Across different teams of specialists, Mirabaud Asset Management focuses on specific segments of the fixed income universe and offers investors innovative investment solutions using credit, duration and convexity as sources of performance.
Equity upside participation with a bond floor for downside protection, or convexity, epitomizes the general investment philosophy of Mirabaud Asset Management, geared towards asymmetry.
Skillful credit analysis designed to identify the safest credits among these non-investment grade issuers, while searching for the best possible returns.
Combining Investment grade, High Yield and Government Bonds in dynamic ways to generate positive total returns, including during interest normalization phases.
Emerging Market Debt
Dedicated unconstrained, active approach across global emerging markets, providing an expanded source of investment and income opportunities.